The New Way & Associates’ financial management team analyzes your business or target’s financial structure. Some of the key factors we use in this LBO analysis are:
- Cash flow generation
- Debt repayment
- Credit statistics
- Investment return during the projected period
- Operating activities
- Investing activities
- Financing activities
New Way & Associates then goes on to build financing models and projections based on information from the LBO analysis and accounting records. During our LBO analysis we also perform a returns analysis and internal rate of return sensitivity analysis. Once our LBO analysis is completed, we then have the necessary information to determine if LBO is appropriate for you.
If LBO is appropriate for you, we then go on to determine the right mix of debt/financing and equity contributions that would satisfy your required investment return.